Calibration the drift term of Jump-Diffusion Option Pricing Model

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Geliefert zwischen Do., 25.12.2025 und Fr., 26.12.2025

Details

The book introduces a finance calibration issue, aiming to determine model parameters using observed option prices. It delves into using intricate models like multi-dimensional jump diffusion with stochastic volatility to price European and Quanto options. Several numerical techniques-integro-differential stochastic equations, finite elements, Monte Carlo, and Quasi Monte Carlo methods-are examined for pricing. The Tikhonov regularization method is proposed to solve the calibration problem by converting it into an inverse problem of partial differential equations, solvable via numerical methods. Additionally, it explores the role of the optimal control framework in establishing conditions to minimize cost functionals. Despite the challenges in estimation, the model displays promise in calibration, exhibiting accuracy in theoretical outcomes and numerical experiments, demonstrating potential risk reduction capabilities.

Autorentext

Abdelilah JRAIFI, Professor researcher at Cadi Ayyad University, the National School of Applied Sciences of Safi.Laboratory: Mathematics, Computer Science, and Communication Systems (MISCOM).

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09786207453078
    • Genre Maths
    • Anzahl Seiten 120
    • Herausgeber LAP LAMBERT Academic Publishing
    • Größe H220mm x B150mm x T8mm
    • Jahr 2023
    • EAN 9786207453078
    • Format Kartonierter Einband
    • ISBN 6207453077
    • Veröffentlichung 22.12.2023
    • Titel Calibration the drift term of Jump-Diffusion Option Pricing Model
    • Autor Abdelilah Jraifi
    • Untertitel Tikhonov Regularization Approach
    • Gewicht 197g
    • Sprache Englisch

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